We are currently working with a Global Bank and they have a new role, within their rapidly growing new area of banking and trading, as a Collateral Risk Manager. This opportunity provides the chance to work in a new department within their global structure.
As the Collateral Risk Manager, you will work within a specialist team overseeing the management of the Banks collateral across their EMEA region, providing updates, insights and monitoring risks.
The key responsibilities in this role will include.
Being the Lead and taking ownership for the EMEA regions designated business units
Provide analysis the activity in each of the business areas across their wholesale credit team
Review and redefine the collateral management processes, reviewing tools and providing assessments
Assist in the independent risk function and challenge the collateral practices of the business
Work in partnership with the EMEA Wholesale team across their counterparty credit considerationsYour key skills for this Collateral Risk Manager role will include:
Knowledge of individual collateral risks a plus
Proven experience in financial services including corporate lending and risk management
Full understanding of Rates, FX, Equities, Commodities and Credit products
A strong team player, with clear communication, both written and verbal
Be detail orientated, confident in analysing data sets and happy to take on new challenges
Understanding of managing multiple priorities, providing timely updates and results.This role is to work within a brand new team within their global structure and offers the opportunity to help build a new structure and processes